Academic literature on the topic 'This scientific article analyzes the influence of such factors as the growth rate of prices of gross domestic product'

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Journal articles on the topic "This scientific article analyzes the influence of such factors as the growth rate of prices of gross domestic product"

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Ermat, Kadirov, and Babaeva Guzal. "Factors Influencing Changes in the Rate of the National Currency and the Ways of Its Stabilization." Journal of Economics, Finance And Management Studies 04, no. 04 (2021): 244–48. https://doi.org/10.47191/jefms/v4-i4-04.

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This scientific article analyzes the influence of such factors as the growth rate of prices of gross domestic product, the growth rate of prices for goods, works and services during the year, the state of the foreign trade balance, the balance of the state budget on the rate of the national currency of Uzbekistan, while considering their positive or negative impact , as well as a forecast of its further changes. On the basis of the study, individual proposals were formulated to stabilize and strengthen the exchange rate of the national currency in Uzbekistan, among them the development and imp
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Sychevskyi, Mykola, Oleksandr Shpychak, Olha Kovalenko, Oleksandr Kuts, and Olena Bokii. "Trends and prospects for the development of bakery production in European countries." Ekonomika APK 309, no. 7 (2020): 54–67. http://dx.doi.org/10.32317/2221-1055.202007054.

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The purpose of the article is to assess the development trends of the production of bakery products in the countries of the European space and the possibilities of the national industry to strengthen its positions in the domestic and foreign markets. Research methods. The research used the methods of theoretical generalizations, dynamical, statistical comparisons and groupings  to analyze trends in the development of bakery production and assess the development of individual countries according to the selected system of indicators; economic and statistical analysis  to determine the level of
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Morhachov, Illia, Olga Chorna, Olshanskyi Oleksandr, et al. "The Reasons for the Growth of the US Stock Market." European Journal of Sustainable Development 11, no. 1 (2022): 124. http://dx.doi.org/10.14207/ejsd.2022.v11n1p124.

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Sustained economic growth as well as the reasons for this growth are fundamental and important issues in economic theory. The article considers the hypothesis regarding the influence of these two factors on the growth of the United States stock market: the country's gross domestic product as well as the money supply in various aggregators. The purpose of the work is to determine the reasons for the growth of the United States stock market. The following methods were used to determine the influence of the gross domestic product and the money supply on the corresponding stock market, namely, the
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Indartini, Mintarti, Dian Pratiwi, and Endang Edi Rahayu. "Kontribusi Sektor Primer Dan Sektor Sekunder Terhadap Pertumbuhan Ekonomi Kabupaten Madiun." JURNAL EKOMAKS Jurnal Ilmu Ekonomi Manajemen dan Akuntansi 10, no. 1 (2021): 6–13. http://dx.doi.org/10.33319/jeko.v10i1.82.

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Abstract— The research objective to analyzes the contribution of the primary and secondary sectors to the GRDP of Madiun Regency, analyzes the direction of the relationship between the primary and secondary sectors toward economic growth and analyzes the effect of the contribution of the primary and secondary sectors on the economic growth of Madiun Regency in 2014 - 2018. The data used in this study are (1) Gross Regional Domestic Product (GRDP) aggregate primary and secondary sectors/sub-sectors is the total value added (products) generated by various primary and secondary sectors/sub-sec
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Sytnyk, Yosyf. "TRANSFORMATION INFLUENCE OF INSTITUTIONAL BARRIERS ON THE GROWTH OF THE NATIONAL ECONOMY OF UKRAINE." Economic Analysis, no. 31(1) (2021): 196–210. http://dx.doi.org/10.35774/econa2021.01.196.

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Introduction. Economic growth and economic development of any socio-economic space is the key to a decent standard of living in the state. These categories should be considered as irreversible and targeted qualitative changes in a complex system that develops itself through the prism of the formation of institutional preconditions and risks. Theoretical and methodological problems related to the new model of economic growth and development in Ukraine need scientific attention. Goal. Identification of tendencies and factors of unstable economic growth and establishment of causal relations of sa
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Tai Nguyen, Trong, Thuy Duong Phan, and Ngoc Anh Tran. "Impact of fiscal and monetary policy on inflation in Vietnam." Investment Management and Financial Innovations 19, no. 1 (2022): 201–9. http://dx.doi.org/10.21511/imfi.19(1).2022.15.

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High and sustainable growth of gross domestic product with stable inflation is one of the objectives of the most macroeconomic policies both in the world and in Vietnam. Therefore, price stability plays a vital role in assuring GDP growth. In order to stabilize prices, fiscal and monetary policies need to be appropriately managed. The aim of this study is to assess the impact of the monetary and fiscal policies on inflation in Vietnam during the period from 1997 to 2020. This study has applied the vector autoregression (VAR) model along with data gathered from the World Bank and General Statis
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Ramaz Gerliani, Ramaz Gerliani, and Giga Tvauri Giga Tvauri. "IMPORTANT ASPECTS - WHY MONETARY POLICY DOES NOT WORK IN GEORGIA." New Economist 18, no. 04 (2024): 49–54. http://dx.doi.org/10.36962/nec18042023-49.

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Georgia is a developing economy with a gross domestic product of 72.3 billion GEL ($26.8 billion) (Geostat 2022). Macroeconomic parameters in the country react sensitively to various issues. Due to the impact of local or foreign factors, the rate of inflation in the country was double-digit for almost 18 months (Geostat 2022), which was a great loss for the country and its population. This article presents a number of aspects of monetary policy, namely the interest rate and the inappropriate effect of monetary instruments on inflation regulation or exchange rate stabilization, which is conditi
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Кириченко, А. О., А. Л. Золкин, О. Л. Гиршевич, and Л. Б. Атаева. "Features and ways of effective management based on modeling macroeconomic imbalances." Innovative economy: information, analytics, forecasts, no. 1 (February 28, 2024): 168–75. http://dx.doi.org/10.47576/2949-1894.2024.1.1.020.

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Исследование проблем макроэкономической нестабильности и разработка стратегий ее преодоления остаются в центре внимания научного сообщества и практического применения в экономической политике. В рамках данного исследования поднимается задача анализа макроэкономических индикаторов, таких как уровень занятости населения и безработицы, объем и динамика роста валового внутреннего продукта, ставка рефинансирования, а также другие важные параметры. Особое внимание уделяется построению и анализу экономических моделей, которые позволяют систематизировать полученные данные и выявить взаимосвязи между р
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Mishchuk, Nataliia, and Oleksandr Zavada. "STATISTICAL ANALYSIS OF THE LEVEL OF ECONOMIC ACTIVITY AND LEVEL OF UNEMPLOYMENT IN UKRAINE." Economic Analysis, no. 29(1) (2019): 29–35. http://dx.doi.org/10.35774/econa2019.01.029.

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Introduction. Economically active population causes both direct growth of the gross domestic product of the country and the creation of progressive labour relations. It is the basis for the formation of the middle class. Instead, high unemployment (underutilization of labour potential) is a major economic and social problem for the country. Therefore, the study of factors that affect the level of economic activity of the population and the level of unemployment is an actual scientific task. It is also important to study the economic activity and unemployment of the population of Ukraine in the
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Mohsin, AKM, and Hongzhen Lei. "A study on the impact of risk and competition on bank profitability in Bangladesh." North American Academic Research 2, no. 8 (2019): 1–40. https://doi.org/10.5281/zenodo.3359666.

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<strong><em>Abstract</em></strong> <em>Born in 1971, Bangladesh witnessed a phenomenal growth in banking industry since the liberalization policy was introduced in 1980s. Before the liberalization policy, there were only four domestic banks (Sonali Bank, Pubali Bank, Rupali Bank, and Janata Bank) in Bangladesh and they were nationalized. There were only three foreign banks.However, there was no private bank. As a result, there was no competition in the banking industry of Bangladesh. The banking market was highly concentrated and dominated by four nationalized banks. The profitability of banks
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Book chapters on the topic "This scientific article analyzes the influence of such factors as the growth rate of prices of gross domestic product"

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Morozova, Nadiia, Tetyana Novikova, and Timur Malafeyev. "TRENDS RESEARCH OF THE INFORMATION ECONOMY BASED ON GLOBAL INTERNATIONAL INDICES." In Priority areas for development of scientific research: domestic and foreign experience. Publishing House “Baltija Publishing”, 2021. http://dx.doi.org/10.30525/978-9934-26-049-0-8.

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The article describes the uneven development of the information economy based on an analysis of the ICT development index in order to identify innovative growth at the national, regional, and global levels. The aim of the work is to develop a set of models for the analysis of the dynamics of the information economy, which makes it possible to determine the stages of the information economy development, groups of countries according to the level of ICT development, and to assess the factors impact of ICT development on the economic growth rate. The work considered the set of information indicat
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